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Finance and Credit
 

Regarding the issue of Russia's finance

Vol. 30, Iss. 9, SEPTEMBER 2024

Received: 11 March 2024

Received in revised form: 25 March 2024

Accepted: 4 April 2024

Available online: 30 September 2024

Subject Heading: MONETARY ACCOMMODATION

JEL Classification: E44, Е60, E63, Е69

Pages: 2144-2162

https://doi.org/10.24891/fc.30.9.2144

Valerii V. SMIRNOV I.N. Ulianov Chuvash State University (ChuvSU), Cheboksary, Chuvash Republic, Russian Federation
v2v3s4@mail.ru

https://orcid.org/0000-0002-6198-3157

Subject. This article examines the issues related to the finance of Russia.
Objectives. The article aims to analyze the trends in Russia's finance development and assess the prospects.
Methods. For the study, I used analysis and synthesis, special economic and mathematical methods, in particular, correlation and regression analysis, as well as a graphical method of presenting the results obtained.
Results. The study reveals an increase in the difference between financial assets and liabilities in the domestic economy and a decline in the rest of the world, and it shows the prospects for the development of finance in Russia.
Relevance. The results of the study of trends in the development of Russian finance and the prospects can be useful in assessing the risks of the financial system for the Government of the Russian Federation and a wide range of the expert community.

Keywords: assets, money supply, debts, liabilities, finance

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